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Axis Equity Advantage Fund - Series 2 - Regular Plan - Growth Option

Axis Mutual Fund
₹14.7957
+0.79%
Scheme Code
141667
NAV Date
2021-02-02
Category
Sub-Category
Plan
Regular
Option
Growth
ISIN
INF846K01A94
ISIN (Reinvest)
Last 30 days
2021-02-02
₹14.7957
+0.79%
2021-02-01
₹14.6800
+3.53%
2021-01-29
₹14.1800
-0.91%
2021-01-28
₹14.3100
-1.04%
2021-01-27
₹14.4600
-1.23%
2021-01-25
₹14.6400
-0.68%
2021-01-22
₹14.7400
-0.67%
2021-01-21
₹14.8400
-0.40%
2021-01-20
₹14.9000
+0.54%
2021-01-19
₹14.8200
+1.51%
2021-01-18
₹14.6000
-0.95%
2021-01-15
₹14.7400
-0.94%
2021-01-14
₹14.8800
+0.27%
2021-01-13
₹14.8400
-0.40%
2021-01-12
₹14.9000
+0.07%
2021-01-11
₹14.8900
+0.95%
2021-01-08
₹14.7500
+0.96%
2021-01-07
₹14.6100
-0.20%
2021-01-06
₹14.6400
-0.34%
2021-01-05
₹14.6900
+0.62%
2021-01-04
₹14.6000
+0.76%
2021-01-01
₹14.4900
+0.21%
2020-12-31
₹14.4600
+0.28%
2020-12-30
₹14.4200
+0.28%
2020-12-29
₹14.3800
+0.28%
2020-12-28
₹14.3400
+0.63%
2020-12-24
₹14.2500
+0.78%
2020-12-23
₹14.1400
+0.78%
2020-12-22
₹14.0300
+0.57%
2020-12-21
₹13.9500
-1.76%